Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
United States Gasoline Fund Lp
UGA
5
Powershares Db Multi-Sector Commodi Powershares Db Oil Fund
DBO
| (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow (Indirect Method) | ||||||||||
| Cash flow from continuing operating activities | ||||||||||
| Net income from continuing operations | 31.22%45.21T | 153.30%19.64T | 21.04%12.23T | -48.01%5.12T | 21.74%8.22T | 122.45%34.45T | 22.22%7.75T | 72.84%10.1T | 470.99%9.84T | 328.98%6.75T |
| Deferred tax | 38.86%4.27T | 807.01%1.39T | 501.26%1.32T | -63.53%639.69B | -2.45%928.7B | 168.70%3.08T | 105.42%152.86B | 111.54%219.51B | 16,686.28%1.75T | 278.11%952.02B |
| Other non cash items | -9.59%-3.31T | 83.39%-171.54B | -17.88%-668.75B | 4.32%-802.53B | -185.41%-1.67T | -5.99%-3.02T | -33.26%-1.03T | 43.21%-567.33B | -102.22%-838.79B | 11.90%-585.74B |
| Change In working capital | -513.31%-9.61T | -336.20%-4.15T | -336.33%-2.18T | 141.95%357.58B | -7.20%-3.64T | 71.28%-1.57T | -76.51%1.76T | 119.83%924.26B | 53.49%-852.39B | 47.28%-3.4T |
| -Change in receivables | 19.24%-2.53T | -42.99%2.47T | -68.70%-4.94T | -114.78%-1.53T | 138.22%1.47T | -1,431.94%-3.14T | -12.93%4.34T | 54.67%-2.93T | -561.51%-712.58B | -345.17%-3.83T |
| -Change in inventory | -241.29%-3.59T | -235.93%-2.08T | 63.95%1.54T | -68.90%-944.59B | -434.84%-2.1T | 179.25%2.54T | -50.19%1.53T | 313.50%939.27B | 73.55%-559.27B | 116.82%627.52B |
| -Change in prepaid assets | 121.20%78.3B | 74.80%69.49B | 79.56%-82.63B | 254.13%62.92B | -21.04%28.52B | 5.47%-369.27B | 400.79%39.76B | -658.78%-404.32B | -51.11%-40.82B | 108.54%36.12B |
| -Change in other current assets | -975.46%-1.17T | -381,996.16%-3.38T | 33.78%1.02T | 1,013.96%1.72T | 31.95%-532.15B | 159.27%133.77B | -99.79%885M | 10.73%760.09B | 133.45%154.76B | 10.32%-781.97B |
| -Change in other current liabilities | -110.27%-118.44B | ---- | ---- | ---- | ---- | 1,049.19%1.15T | ---- | ---- | ---- | ---- |
| Cash from discontinued investing activities | ||||||||||
| Operating cash flow | 16.90%85.32T | 30.78%28.8T | 1.69%22.57T | 2.75%17.36T | 39.73%16.58T | 65.35%72.98T | 10.41%22.02T | 128.13%22.2T | 106.80%16.9T | 88.60%11.87T |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | ||||||||||
| Net PPE purchase and sale | 7.57%-47.37T | 22.91%-11.57T | 1.68%-10.74T | -8.86%-12.96T | 9.77%-12.1T | 10.89%-51.25T | 1.15%-15.01T | 16.11%-10.93T | 26.06%-11.91T | -1.57%-13.41T |
| Net intangibles purchase and sale | -99.08%-4.62T | -83.86%-1.21T | -367.68%-1.38T | -250.00%-780.91B | -9.11%-1.25T | 20.33%-2.32T | 2.37%-658.23B | 53.04%-294.86B | 59.06%-223.12B | -7.44%-1.14T |
| Net business purchase and sale | -2,412.22%-3.03T | -58,146.14%-2.08T | -210.41%-415.64B | -7,353.64%-307.12B | -4,292.19%-225.92B | 69.96%-120.69B | 101.01%3.59B | -892,566.67%-133.9B | -58.40%4.23B | 109.37%5.39B |
| Net investment purchase and sale | 52.89%-14.99T | -579.88%-17.89T | 94.96%-706.58B | 74.49%-3.58T | 196.32%7.19T | -170.98%-31.81T | 145.25%3.73T | -2,579.75%-14.03T | -165.15%-14.04T | -124.14%-7.47T |
| Net other investing changes | 1,160.45%1.5T | 2,527.01%1.76T | -3,551.25%-104.64B | -334.37%-108.78B | -2,773.22%-55.2B | 112.99%118.68B | 194.84%67.17B | 100.90%3.03B | 113.04%46.41B | 101.38%2.07B |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 19.76%-68.51T | -161.13%-30.99T | 47.41%-13.35T | 32.07%-17.74T | 70.78%-6.43T | -404.54%-85.38T | 51.60%-11.87T | -89.10%-25.38T | -673.93%-26.12T | -233.63%-22.01T |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | ||||||||||
| Net issuance payments of debt | -6.16%4.61T | 434.26%7.95T | 663.89%2.15T | 224.74%2.82T | -465.23%-8.31T | 283.57%4.91T | -43.22%1.49T | -45.30%281.13B | 199.16%868.11B | 332.42%2.27T |
| Net common stock issuance | -352.00%-8.19T | ---39.97B | ---3.87T | ---1.32T | ---2.96T | ---1.81T | ---- | ---- | ---- | ---- |
| Cash dividends paid | 9.11%-9.9T | 0.31%-2.45T | -0.40%-2.46T | 1.20%-4.9T | 92.20%-78.97B | -10.38%-10.89T | 1.37%-2.46T | 0.46%-2.45T | -1.17%-4.96T | -416,704.94%-1.01T |
| Net other financing activities | 88.57%-973M | -62.19%1.41B | 83.07%-1.31B | 67.57%-1.45B | 2,626.67%379M | 6.66%-8.51B | 5,086.11%3.73B | 7.26%-7.76B | -3,797.52%-4.47B | 98.42%-15M |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | -72.86%-13.48T | 296.26%5.46T | -92.23%-4.19T | 16.90%-3.41T | -998.95%-11.34T | 9.26%-7.8T | -2,318.16%-2.78T | -11.28%-2.18T | 29.09%-4.1T | 228.77%1.26T |
| Net cash flow | ||||||||||
| Beginning cash position | -22.26%53.71T | 23.81%53.4T | -5.47%47.12T | -14.13%53.16T | -22.26%53.71T | 39.05%69.08T | -42.60%43.13T | -37.63%49.84T | -15.14%61.91T | 39.05%69.08T |
| Current changes in cash | 116.46%3.32T | -55.69%3.27T | 193.97%5.04T | 71.56%-3.79T | 86.58%-1.19T | -208.54%-20.2T | 265.11%7.37T | 5.09%-5.36T | -291.99%-13.32T | -140.78%-8.88T |
| Effect of exchange rate changes | -82.87%825.9B | -62.82%1.19T | 191.86%1.24T | -278.40%-2.25T | -62.09%647.47B | 508.11%4.82T | 300.34%3.2T | -254.33%-1.35T | 4,065.00%1.26T | 15.00%1.71T |
| End cash Position | 7.73%57.86T | 7.73%57.86T | 23.81%53.4T | -5.47%47.12T | -14.13%53.16T | -22.26%53.71T | -22.26%53.71T | -42.60%43.13T | -37.63%49.84T | -15.14%61.91T |
| Free cash flow | 72.35%33.16T | 155.48%16.04T | -5.13%10.38T | -24.87%3.54T | 218.40%3.2T | 217.35%19.24T | 54.73%6.28T | 379.09%10.95T | 155.41%4.72T | 66.36%-2.7T |
| Currency Unit | KRW | KRW | KRW | KRW | KRW | KRW | KRW | KRW | KRW | KRW |